Key Responsibilities
Cash & Bank payments processing
Assist with maintaining both Kshs. petty cash at the set limits and take responsibility of any cash differences arising.
Ensure that there is sufficient petty cash at all times for Ksh. for smooth operation
Ensure all Petty cash payments are properly supported and duly authorized per IRC delineation schedule before disbursement.
Ensuring that authorizations on the payment’s requests are in line with the approved limits per the delineation chart
Preparation of petty cash spreadsheets to upload stage ready for review by FA at the end of the month.
Ensure that a supervised petty cash counts are performed every Friday.
Devise a cash replenishment schedule to minimize weekly bank visits
Ensure authorized receipts are correctly coded and issued upon receipt of monies.
Maintaining the receipt book and ensuring that authorized receipts are issued upon receipt of monies.
Assist with reconciliation of KES bank account and preparation of spreadsheets to upload stage ready for review monthly
Filing and Digital Filling
Maintain an organized and well-documented (all files must be labeled properly and visibly) and sequential filing system for all cash disbursement vouchers
Before filing, ensure that all documents have been stamped ‘PAID’ including cash payment reference details.
Scanning all financial documents and digitally filling them.
Audit Facilitation
Retrieving, reviewing and filling back audit documents.
Other
To maintain an organized and well-documented bank correspondences file ensuring it’s continuously updated.
Work closely with Finance Assistant to ensure effective training.
Assist Finance Assistant with cashbook update and maintenance.
Any other duties as may be assigned by supervisor.
Qualifications
A bachelor’s degree in accounting, Business Administration, Commerce or CPA II.
Apply via :
rescue.csod.com